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                                                                           Green Financial Group
                                                                                             An Independent Firm

                      Weekly Market Snapshot


                       September 11, 2009
Home
                       Market Commentary
                       by Scott J. Brown, Ph.D., Chief Economist
About Us
                       The economic calendar was thin this week. The Fed’s Beige Book noted
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                       that “economic activity continued to stabilize in July and August.” Not
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                       exactly a booming assessment of the economy, but better than the previous                   Houston, TX 77057
Newsletters            report. The July trade deficit showed improvement in both imports and                       Phone: 713-244-3030
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                       exports – further evidence suggesting that the U.S. and global economies
Market View                                                                                                        Contact Us
                       have bottomed. Consumer sentiment rose in early September.

Financial Resources    The financial markets continued to ignore the economic data, perhaps                        Map & Directions
                       waiting for more definitive evidence of the strength and durability of the
Contact Us                                                                                                         Securities are offered
                       recovery. The dollar fell during the week, reflecting an unwinding of the flight            through
                       to safety (the dollar, representing a safe haven for global investors, rose                 RAYMOND JAMES
Additional Links                                                                                                   FINANCIAL SERVICES,
                       amid the financial turmoil of a year ago).
                                                                                                                   INC.
                                                                                                                   Member FINRA / SIPC
                       Next week, from Tuesday to Thursday, the mid-month economic data come
                       roaring in, and the numbers could generate some reactions in the markets.
                       The key reports will be on retail sales and the Consumer Price Index (CPI).
                       Retail sales figures should be boosted considerably by the “Cash for
                       Clunkers” program. Ex-autos, sales are likely to have been lackluster, but
                       with some help from back-to-school promotions. The headline Producer
                       Price Index (PPI) and CPI figures will be boosted by seasonal adjustments
                       (relatively large declines in gasoline prices had been expected, but they
                       rose, instead). Ex-food and energy, the CPI should remain mild (the
year-over-year pace has been pushed lower by a smaller increase in
homeowners’ rental equivalent).


Indices
                     Last            Last Week          YTD return %

  DJIA               9627.48         9344.61            9.70%

  NASDAQ             2084.02         1983.2             32.15%

  S&P 500            1044.14         1003.24            15.60%

  MSCI EAFE          1541.09         1461.47            24.54%

  Russell 2000       594.9           562.49             19.11%


Consumer Money Rates
                                     Last           1-year ago

  Prime Rate                         3.25           5.00

  Fed Funds                          0.25           2.00

  30-year mortgage                   5.26           5.79


Currencies
                                     Last            1-year ago

  Dollars per British Pound          1.665           1.753

  Dollars per Euro                   1.458           1.400

  Japanese Yen per Dollar            91.73           107.70

  Canadian Dollars per Dollar        1.077           1.071

  Mexican Peso per Dollar            13.37           10.61


Commodities
                                     Last              1-year ago
Crude Oil                        71.94       102.58

  Gold                             996.60      752.45


Bond Rates
                                   Last     1-month ago

  2-year treasury                  0.88     1.06

  10-year treasury                 3.34     3.55

  10-year municipal (TEY)          4.91     5.05


Treasury Yield Curve – 9/11/2009




S&P Sector Performance Charts – 9/11/2009
Economic Calendar

September 15        —   Producer Price Index (August)
                        Retail Sales (August)
                        Empire State Manufacturing Index
                        (September)
                        Business Inventories (July)

September 16        —   Consumer Price Index (August)
                        Current Account Deficit (2Q09)
                        Industrial Production (August)

September 17        —   Jobless Claims (week ending
                        September 12)
                        Residential Construction (August)
                        Philadelphia Fed Index (September)
September 21           —              Leading Economic Indicators (August)

  September 23           —              FOMC Policy Decision

  September 24           —              Existing Home Sales (August)


Past performance is not a guarantee of future results. There are special risks
involved with global investing related to market and currency fluctuations, economic
and political instability, and different financial accounting standards. The above
material has been obtained from sources considered reliable, but we do not
guarantee that it is accurate or complete. There is no assurance that any trends
mentioned will continue in the future. Municipal bond interest is not subject to federal
income tax but may be subject to AMT, state or local taxes. Investing involves risk
and investors may incur a profit or a loss.
US government bonds and treasury bills are guaranteed by the US government and,
if held to maturity, offer a fixed rate of return and guaranteed principal value. US
government bonds are issued and guaranteed as to the timely payment of principal
and interest by the federal government. Treasury bills are certificates reflecting
short-term (less than one year) obligations of the US government.
Commodities trading is generally considered speculative because of the significant
potential for investment loss. Markets for commodities are likely to be volatile and
there may be sharp price fluctuations even during periods when prices overall are
rising. Specific sector investing can be subject to different and greater risks than
more diversified investments.
Tax Equiv Muni yields (TEY) assume a 35% tax rate on triple-A rated, tax-exempt
insured revenue bonds.
Material prepared by Raymond James for use by its financial advisors.
The information contained herein has been obtained from sources considered
reliable, but we do not guarantee that the foregoing material is accurate or complete.
Data source: Bloomberg, as of close of business September 10th, 2009.


                                         Site Map
Raymond James financial advisors may only conduct business with residents of the
states and/or jurisdictions for which they are properly registered. Therefore, a
response to a request for information may be delayed. Please note that not all of the
investments and services mentioned are available in every state. Investors outside of
the United States are subject to securities and tax regulations within their applicable
jurisdictions that are not addressed on this site. Contact your local Raymond James
office for information and availability.

© 2009 Raymond James Financial Services, Inc., member FINRA / SIPC              Privacy
Notice

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Weekly Market Update,September 11, 2009

  • 1. Investor Access Green Financial Group An Independent Firm Weekly Market Snapshot September 11, 2009 Home Market Commentary by Scott J. Brown, Ph.D., Chief Economist About Us The economic calendar was thin this week. The Fed’s Beige Book noted Services 6363 Woodway Dr that “economic activity continued to stabilize in July and August.” Not Suite 870 exactly a booming assessment of the economy, but better than the previous Houston, TX 77057 Newsletters report. The July trade deficit showed improvement in both imports and Phone: 713-244-3030 Fax: 713-513-5669 exports – further evidence suggesting that the U.S. and global economies Market View Contact Us have bottomed. Consumer sentiment rose in early September. Financial Resources The financial markets continued to ignore the economic data, perhaps Map & Directions waiting for more definitive evidence of the strength and durability of the Contact Us Securities are offered recovery. The dollar fell during the week, reflecting an unwinding of the flight through to safety (the dollar, representing a safe haven for global investors, rose RAYMOND JAMES Additional Links FINANCIAL SERVICES, amid the financial turmoil of a year ago). INC. Member FINRA / SIPC Next week, from Tuesday to Thursday, the mid-month economic data come roaring in, and the numbers could generate some reactions in the markets. The key reports will be on retail sales and the Consumer Price Index (CPI). Retail sales figures should be boosted considerably by the “Cash for Clunkers” program. Ex-autos, sales are likely to have been lackluster, but with some help from back-to-school promotions. The headline Producer Price Index (PPI) and CPI figures will be boosted by seasonal adjustments (relatively large declines in gasoline prices had been expected, but they rose, instead). Ex-food and energy, the CPI should remain mild (the
  • 2. year-over-year pace has been pushed lower by a smaller increase in homeowners’ rental equivalent). Indices Last Last Week YTD return % DJIA 9627.48 9344.61 9.70% NASDAQ 2084.02 1983.2 32.15% S&P 500 1044.14 1003.24 15.60% MSCI EAFE 1541.09 1461.47 24.54% Russell 2000 594.9 562.49 19.11% Consumer Money Rates Last 1-year ago Prime Rate 3.25 5.00 Fed Funds 0.25 2.00 30-year mortgage 5.26 5.79 Currencies Last 1-year ago Dollars per British Pound 1.665 1.753 Dollars per Euro 1.458 1.400 Japanese Yen per Dollar 91.73 107.70 Canadian Dollars per Dollar 1.077 1.071 Mexican Peso per Dollar 13.37 10.61 Commodities Last 1-year ago
  • 3. Crude Oil 71.94 102.58 Gold 996.60 752.45 Bond Rates Last 1-month ago 2-year treasury 0.88 1.06 10-year treasury 3.34 3.55 10-year municipal (TEY) 4.91 5.05 Treasury Yield Curve – 9/11/2009 S&P Sector Performance Charts – 9/11/2009
  • 4. Economic Calendar September 15 — Producer Price Index (August) Retail Sales (August) Empire State Manufacturing Index (September) Business Inventories (July) September 16 — Consumer Price Index (August) Current Account Deficit (2Q09) Industrial Production (August) September 17 — Jobless Claims (week ending September 12) Residential Construction (August) Philadelphia Fed Index (September)
  • 5. September 21 — Leading Economic Indicators (August) September 23 — FOMC Policy Decision September 24 — Existing Home Sales (August) Past performance is not a guarantee of future results. There are special risks involved with global investing related to market and currency fluctuations, economic and political instability, and different financial accounting standards. The above material has been obtained from sources considered reliable, but we do not guarantee that it is accurate or complete. There is no assurance that any trends mentioned will continue in the future. Municipal bond interest is not subject to federal income tax but may be subject to AMT, state or local taxes. Investing involves risk and investors may incur a profit or a loss. US government bonds and treasury bills are guaranteed by the US government and, if held to maturity, offer a fixed rate of return and guaranteed principal value. US government bonds are issued and guaranteed as to the timely payment of principal and interest by the federal government. Treasury bills are certificates reflecting short-term (less than one year) obligations of the US government. Commodities trading is generally considered speculative because of the significant potential for investment loss. Markets for commodities are likely to be volatile and there may be sharp price fluctuations even during periods when prices overall are rising. Specific sector investing can be subject to different and greater risks than more diversified investments. Tax Equiv Muni yields (TEY) assume a 35% tax rate on triple-A rated, tax-exempt insured revenue bonds. Material prepared by Raymond James for use by its financial advisors. The information contained herein has been obtained from sources considered reliable, but we do not guarantee that the foregoing material is accurate or complete. Data source: Bloomberg, as of close of business September 10th, 2009. Site Map Raymond James financial advisors may only conduct business with residents of the states and/or jurisdictions for which they are properly registered. Therefore, a response to a request for information may be delayed. Please note that not all of the investments and services mentioned are available in every state. Investors outside of the United States are subject to securities and tax regulations within their applicable jurisdictions that are not addressed on this site. Contact your local Raymond James office for information and availability. © 2009 Raymond James Financial Services, Inc., member FINRA / SIPC Privacy